Looks like you just cut your winners as soon as you get em. But when you get caught in a loss, you let it go till contract expiration. Makes sense based on your posts to schizo to constantly take profit as soon as you're in the green. Do you know what your overall R:R is?
Off-the-charts bad. Bad bad bad. This is still a throwback to the bull-market behavior embedded in my mind. That imprint is so hard to break. My sim trading is so much better in the R:R department, which ranges from 1:1 to 1:3. Certainly not ideal but better than my stick-in-the-mud habit I cannot get out of. I am still fighting the Fed unintentionally, because they keep head-faking this market by proxy of the general sentiment of the market on data prints between meetings.
Nothing happened to it. Why do you ask? If you mean why I have not updated it, it is because there has been no trading activity for 5-6 weeks, I will update it when I deem it relevant. I still have my open June MNQ long at 4203 or thereabouts. Are you not entertained?